รายละเอียดงานWe are looking for a proactive and detail-oriented Treasury Analyst / Assistant to support the Head of Treasury in managing liquidity, FX, cash management, and banking operations. This role involves both day-to-day treasury activities and strategic initiatives.
- Assist in daily liquidity management and global cash positioning.
- Support bank account administration management (KYC, signatories, documentation, fee review).
- Reconcile payments and collections.
- Monitor margin requirements and manage collateral.
- Execute & track FX deals; perform FX spread and off-market rate analysis.
- Assist in FX exposure analysis and hedging support.
- Maintain TMS and banking system records accurately.
- Prepare liquidity and treasury reports (dashboards, KPIs).
- Liaise with banks, internal teams (Finance, Compliance, IT, BD), and external stakeholders.
- Contribute to treasury process improvements and system upgrades.
ติดต่อKhun Apiwan Wangprapa
Bahtsmart Company Limited
22/3 3-4FL., Chiang Mai-Lampang Rd,
ตำบลช้างเผือก อำเภอเมืองเชียงใหม่ จังหวัดเชียงใหม่ 50300